Ifgl Refractories Share Price
Sector: Constr. - Supplies & Fixtures
485.15 +28.90 (6.33%)
- 1D
- 5D
- 1M
- 3M
- 6M
- 1Y
- 5Y
- MAX
Price Range
Today’s Low
449.50
Today’s High
511.00
52 Week Low
327.45
52 Week High
746.00
484.75 +28.70 (6.29%)
- 1D
- 5D
- 1M
- 3M
- 6M
- 1Y
- 5Y
- MAX
Price Range
Today’s Low
453.75
Today’s High
519.25
52 Week Low
326.05
52 Week High
750.00
Key Metrics
- Market Cap (In Cr) 1759.82
- Beta 1.4
- Div. Yield (%) -
- P/B 1.63
- TTM P/E -
- Sector P/E 29.76
- Open Price 465
- Prev Close 456.25
Ifgl Refractories Analysis
Price Analysis
-
1 Week31.6%
-
3 Months34.5%
-
6 Month-1.98%
-
YTD6.84%
-
1 Year-30.18%
Risk Meter
- 54% Low risk
- 54% Moderate risk
- 54% Balanced Risk
- 54% High risk
- 54% Extreme risk
Recos
- Strong Sell
- Sell
- Hold
- Buy
- Strong Buy
Analysts' Views
- Ratings
- Current
- 1 W Ago
- 1 M Ago
- 3 M Ago
- Strong Buy
- 0.00
- 0.00
- 0.00
- 0.00
- Buy
- 1
- 1
- 1
- 1
- Hold
- 0.00
- 0.00
- 0.00
- 0.00
- Sell
- 0.00
- 0.00
- 0.00
- 0.00
- Strong Sell
- 0.00
- 0.00
- 0.00
- 0.00
- Total
- 1
- 1
- 1
- 1
Ifgl Refractories News
IFGL Refractories surge 27% in 4 sessions on strong Q2 earnings; should you buy?
2 min read . 22 Nov 2023Ifgl Refractories Financials
- INCOME
- BALANCE SHEET
- Cashflow
- Period
- 2024
- Total Revenue
- 1639.49
- Selling/ General/ Admin Expenses Total
- 586.85
- Depreciation/ Amortization
- 64.27
- Other Operating Expenses Total
- 26.16
- Total Operating Expense
- 1544.66
- Operating Income
- 94.83
- Net Income Before Taxes
- 97.83
- Net Income
- 81.67
- Diluted Normalized EPS
- 30.17
- Period
- 2024
- Total Assets
- 1490.36
- Total Liabilities
- 418.31
- Total Equity
- 1072.05
- Tangible Book Valueper Share Common Eq
- 244.5
- Period
- 2024
- Cashfrom Operating Activities
- 152.19
- Cashfrom Investing Activities
- -117.15
- Cashfrom Financing Activities
- -24.28
- Net Changein Cash
- 12.85
- Period
- 2023
- Total Revenue
- 1386.5
- Selling/ General/ Admin Expenses Total
- 452.3
- Depreciation/ Amortization
- 55.55
- Other Operating Expenses Total
- 18.77
- Total Operating Expense
- 1282.61
- Operating Income
- 103.9
- Net Income Before Taxes
- 105.7
- Net Income
- 79.21
- Diluted Normalized EPS
- 29.43
- Period
- 2023
- Total Assets
- 1425.93
- Total Liabilities
- 420.89
- Total Equity
- 1005.05
- Tangible Book Valueper Share Common Eq
- 218.36
- Period
- 2023
- Cashfrom Operating Activities
- 7.9
- Cashfrom Investing Activities
- -122.71
- Cashfrom Financing Activities
- 49.8
- Net Changein Cash
- -62.24
- Period
- 2022
- Total Revenue
- 1259.5
- Selling/ General/ Admin Expenses Total
- 453.37
- Depreciation/ Amortization
- 51.14
- Other Operating Expenses Total
- 15.43
- Total Operating Expense
- 1163.6
- Operating Income
- 95.9
- Net Income Before Taxes
- 103.94
- Net Income
- 77.48
- Diluted Normalized EPS
- 28.8
- Period
- 2022
- Total Assets
- 1286.08
- Total Liabilities
- 352.05
- Total Equity
- 934.03
- Tangible Book Valueper Share Common Eq
- 198.2
- Period
- 2022
- Cashfrom Operating Activities
- 4.37
- Cashfrom Investing Activities
- -24.03
- Cashfrom Financing Activities
- -6.96
- Net Changein Cash
- -28.54
- Period
- 2021
- Total Revenue
- 1021.95
- Selling/ General/ Admin Expenses Total
- 352.02
- Depreciation/ Amortization
- 48.58
- Other Operating Expenses Total
- 15.8
- Total Operating Expense
- 913.66
- Operating Income
- 108.28
- Net Income Before Taxes
- 124.22
- Net Income
- 65.59
- Diluted Normalized EPS
- 25.83
- Period
- 2021
- Total Assets
- 1183.9
- Total Liabilities
- 293.4
- Total Equity
- 890.49
- Tangible Book Valueper Share Common Eq
- 178.38
- Period
- 2021
- Cashfrom Operating Activities
- 139.39
- Cashfrom Investing Activities
- -106.38
- Cashfrom Financing Activities
- -4.55
- Net Changein Cash
- 37.93
- Period
- 2020
- Total Revenue
- 917.35
- Selling/ General/ Admin Expenses Total
- 329.88
- Depreciation/ Amortization
- 48.34
- Other Operating Expenses Total
- 16.4
- Total Operating Expense
- 894.34
- Operating Income
- 23
- Net Income Before Taxes
- 29.97
- Net Income
- 19.46
- Diluted Normalized EPS
- 16.59
- Period
- 2020
- Total Assets
- 1029.18
- Total Liabilities
- 220.23
- Total Equity
- 808.95
- Tangible Book Valueper Share Common Eq
- 150.62
- Period
- 2020
- Cashfrom Operating Activities
- 149.87
- Cashfrom Investing Activities
- -53.7
- Cashfrom Financing Activities
- -66.16
- Net Changein Cash
- 33.31
- Period
- 2019
- Total Revenue
- 950.41
- Selling/ General/ Admin Expenses Total
- 325.77
- Depreciation/ Amortization
- 46.02
- Other Operating Expenses Total
- 17.36
- Total Operating Expense
- 886.99
- Operating Income
- 63.42
- Net Income Before Taxes
- 64.05
- Net Income
- 50.46
- Diluted Normalized EPS
- 21.57
- Period
- 2019
- Total Assets
- 1024.19
- Total Liabilities
- 229.55
- Total Equity
- 794.64
- Tangible Book Valueper Share Common Eq
- 134.39
- Period
- 2019
- Cashfrom Operating Activities
- 109.37
- Cashfrom Investing Activities
- -71.14
- Cashfrom Financing Activities
- -36.51
- Net Changein Cash
- 2.62
- Period
- 2024-12-31
- Total Revenue
- 378.84
- Selling/ General/ Admin Expenses Total
- 70.16
- Depreciation/ Amortization
- 18
- Other Operating Expenses Total
- 99.5
- Total Operating Expense
- 380.16
- Operating Income
- -1.32
- Net Income Before Taxes
- -1.96
- Net Income
- -2.18
- Diluted Normalized EPS
- -0.6
- Period
- 2024-12-31
- Period
- 2024-12-31
- Period
- 2024-09-30
- Total Revenue
- 411.12
- Selling/ General/ Admin Expenses Total
- 68.15
- Depreciation/ Amortization
- 17.7
- Other Operating Expenses Total
- 109.37
- Total Operating Expense
- 396.21
- Operating Income
- 14.91
- Net Income Before Taxes
- 15.38
- Net Income
- 12.08
- Diluted Normalized EPS
- 3.35
- Period
- 2024-09-30
- Total Assets
- 1547.14
- Total Liabilities
- 443.38
- Total Equity
- 1103.76
- Tangible Book Valueper Share Common Eq
- 254.8
- Period
- 2024-09-30
- Cashfrom Operating Activities
- 63.15
- Cashfrom Investing Activities
- -41.32
- Cashfrom Financing Activities
- -20.2
- Net Changein Cash
- 6.36
- Period
- 2024-03-31
- Total Revenue
- 393.94
- Selling/ General/ Admin Expenses Total
- 64.53
- Depreciation/ Amortization
- 17.45
- Other Operating Expenses Total
- 90.66
- Total Operating Expense
- 376.62
- Operating Income
- 17.32
- Net Income Before Taxes
- 21.2
- Net Income
- 12.54
- Diluted Normalized EPS
- 3.48
- Period
- 2024-03-31
- Total Assets
- 1490.36
- Total Liabilities
- 418.31
- Total Equity
- 1072.05
- Tangible Book Valueper Share Common Eq
- 244.5
- Period
- 2024-03-31
- Cashfrom Operating Activities
- 152.19
- Cashfrom Investing Activities
- -117.15
- Cashfrom Financing Activities
- -24.28
- Net Changein Cash
- 12.85
- Period
- 2023-12-31
- Total Revenue
- 366.18
- Selling/ General/ Admin Expenses Total
- 62.51
- Depreciation/ Amortization
- 15.7
- Other Operating Expenses Total
- 118.82
- Total Operating Expense
- 386.06
- Operating Income
- -19.88
- Net Income Before Taxes
- -18.44
- Net Income
- 1.52
- Diluted Normalized EPS
- 0.42
- Period
- 2023-12-31
- Period
- 2023-12-31
- Period
- 2023-09-30
- Total Revenue
- 455.52
- Selling/ General/ Admin Expenses Total
- 61.82
- Depreciation/ Amortization
- 15.51
- Other Operating Expenses Total
- 98.62
- Total Operating Expense
- 403.25
- Operating Income
- 52.27
- Net Income Before Taxes
- 53.78
- Net Income
- 38
- Diluted Normalized EPS
- 10.55
- Period
- 2023-09-30
- Total Assets
- 1495.17
- Total Liabilities
- 448.46
- Total Equity
- 1046.71
- Tangible Book Valueper Share Common Eq
- 234.26
- Period
- 2023-09-30
- Cashfrom Operating Activities
- 53.16
- Cashfrom Investing Activities
- -37.43
- Cashfrom Financing Activities
- -3.17
- Net Changein Cash
- 12.15
Forecast
Income Sheet (In Cr)
Net Income Vs Revenue
Returns Metrics (In Cr)
ROA Vs ROE
Forecast
Balance Sheet
Asset vs Liability
Forecast
Cash Flow
Operating vs Investing
Ifgl Refractories Technical
Moving Average
SMA
- 5 Day437.88
- 10 Day398.2
- 20 Day382.54
- 50 Day366.33
- 100 Day388.91
- 300 Day484.47
Ifgl Refractories Peers
- Price
- Ratio
- Name
- Latest Price
- Change
- % Change
- 52W High
- 52W Low
- Mkt. Cap
- Shankara Building Products
- 743.05
- 10.4
- 1.42
- 742.45
- 444.4
- 1794.87
- Birlanu
- 2365
- 36.75
- 1.58
- 3150.05
- 1650
- 1758.68
- Ifgl Refractories
- 485.15
- 28.9
- 6.33
- 746
- 327.45
- 1759.82
- Salasar Techno Engineering
- 9.02
- 0.05
- 0.56
- 23.27
- 7.55
- 1557.54
- Oriental Rail Infrastructure
- 193
- 3
- 1.58
- 445
- 137.2
- 1252.58
- Name
- P/E (X)
- P/B (X)
- ROE %
- OPM
- Shankara Building Products
- 21.64
- 2.26
- 8.18
- 1.47
- Birlanu
- 151.64
- 1.41
- 12.87
- 4.1
- Ifgl Refractories
- 16.07
- 1.63
- 7.07
- 5.2
- Salasar Techno Engineering
- 23.88
- 3.16
- 12.08
- 4.36
- Oriental Rail Infrastructure
- 34.88
- 4.12
- 16.18
- 5.86
Ifgl Refractories Shareholding
Shareholding Pattern
Shareholding Trend
Shareholding(%) v/s Date
Corporate Actions
- Board Meeting
- AGM
- Dividends
- Bonus
- Split
- Rights
- Meeting Date
- Purpose
- 24-May-25
- Audited Results, Final Dividend & Bonus
- 07-May-25
- Interim Dividend
- 08-Feb-25
- Quarterly Results
- 09-Nov-24
- Quarterly Results
- 10-Aug-24
- Quarterly Results
- 18-May-24
- Audited Results & Final Dividend
- 03-Feb-24
- Quarterly Results
- 04-Nov-23
- Quarterly Results
- 05-Aug-23
- Quarterly Results
- 27-May-23
- Audited Results & Final Dividend
- Meeting Date
- Announced on
- Purpose
- 31-Jul-24
- 21-May-24
- AGM
- 25-Aug-23
- 23-Jun-23
- AGM
- 07-Aug-21
- 14-Jun-21
- AGM
- Announced on
- Record Date
- Ex-Dividend
- Dividend Value
- 07-May-25
- 13-May-25
- 13-May-25
- 6
- 21-May-24
- -
- 24-Jul-24
- 7
- 29-May-23
- -
- 18-Aug-23
- 7
- 30-May-22
- -
- 20-Sept-22
- 7
- 08-Jun-21
- -
- 29-Jul-21
- 6
- 07-Jun-21
- -
- 29-Jul-21
- 4


